ZPR Global Equity Fund

Name NAV Net assets Domicile Currency Change% Date
OAMZPRFV 2,293.92 587,235.21 LT USD 0.42 18.03.2019

Market Subs Redemp
Lithuanian market - -

NAV chart


Return

Date 1m 3m 6m 12m 24m 3y 5y
18.03.2019 -1.19 5.65 -11.36 -22.28 -3.44 4.7 2.14

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